The Probability of Bankruptcy of S & F Capital Bhd (S&FCAP.KL) is -% . This number represents the probability that S&FCAP.KL will face financial distress in the next 24 months given its current fundamentals and market conditions.
Multiple factors are taken into account when calculating S&FCAP.KL's probability of bankruptcy : Altman Z-score, Beneish M-score, financial position, macro environments, academic research about distress risk and more.
ESG ratings are directly linked to the cost of capital and S&FCAP.KL's ability to raise funding, both of which can significantly affect the probability of S & F Capital Bhd going bankrupt.
ESG Score | - |
Environment Score | - |
Social Score | - |
Governance Score | - |
Returns | |
Historical Returns (5 day) | -5.88% |
Historical Returns (MTD) | 6.67% |
Historical Returns (YTD) | -20.00% |
Historical Returns (13 week) | -5.88% |
Historical Returns (26 week) | -20.00% |
Historical Returns (52 week) | 100.00% |
Efficiency | |
Asset Turnover | 1.16 |
Receiveable Turnover | 6.52 |
Gross Margin | 5.92% |
Operating Margin | 2.77% |
Pretax Margin | 3.07% |
Net Margin | 3.05% |
Return on Asset (ROA) | |
Return on Equity (ROE) | 3.54 |
Return on Investments (ROI) | 4.14 |
Price Metrics | |
Market Cap (M) | 48.43 |
Enterprise Value (M) | |
52 Week High | 0.12 |
52 Week Low | 0.07 |
Beta | 1.94 |
Average Volume (10 day) | 0.24 |
Average Volume (3 month) | 0.36 |
Price / Earnings (P/E) | |
Price / Sales (P/S) | 0.94 |
Earnings | |
EPS | |
Revenue CAGR (5 year) | 30.90% |
Risk | |
Current Ratio | 1.28 |
Quick Ratio |